Investor Starboard Value LP
Manager Jeffrey Smith
13D/G Filings

This page shows a list of all the recent 13D/G filings made by Starboard Value LP . Schedule 13D is commonly referred to as a “beneficial ownership report.” The term "beneficial owner" is defined under SEC rules. It includes any person who directly or indirectly shares voting power or investment power (the power to sell the security).

When a person or group of persons acquires beneficial ownership of more than 5% of a voting class of a company’s equity securities, they are required to file a Schedule 13D within ten days after the purchase. Click the link icon to see the full transaction history.

Date Form Target Prev
Shares
Current
Shares
Change
(Percent)
Ownership
(Percent)
Change
(Percent)
2025-09-04 13D BILL / BILL Holdings, Inc. 8,639,900
2025-08-06 13D ROG / Rogers Corporation 850,482 1,676,502
2025-07-03 13D TRIP / Tripadvisor, Inc. 10,635,484
2025-05-19 13D/A QRVO / Qorvo, Inc. 8,270,655 8,270,655
2025-05-12 13D/A FTRE / Fortrea Holdings Inc. 4,864,000 2,716,421
2025-05-09 13D/A GDOT / Green Dot Corporation 3,021,070 2,071,070
2025-04-15 13D/A GDOT / Green Dot Corporation 4,358,601 3,021,070
2025-04-14 13D/A QRVO / Qorvo, Inc. 8,270,655 8,270,655
2025-04-08 13D/A GDOT / Green Dot Corporation 5,022,601 4,358,601
2025-03-24 13D/A QRVO / Qorvo, Inc. 7,285,655 8,270,655
2025-03-14 13D/A AQN / Algonquin Power & Utilities Corp. 62,141,000 66,433,000
2025-02-24 13D/A FTRE / Fortrea Holdings Inc. 4,864,000
2025-01-31 13D/A FTRE / Fortrea Holdings Inc. 7,595,000 5,199,000
2025-01-17 13D QRVO / Qorvo, Inc. 7,285,655
2024-12-10 13D/A ALIT / Alight, Inc. 39,807,000 44,745,000
2024-12-09 13D/A HR / Healthcare Realty Trust Incorporated 20,903,000 19,905,460
2024-11-26 13D HR / Healthcare Realty Trust Incorporated 20,903,000
2024-11-14 13D/A ACTG / Acacia Research Corporation 61,123,595 61,123,595
2024-07-15 13D MTCH / Match Group, Inc. 17,641,850
2024-05-31 13D/A GDOT / Green Dot Corporation 5,294,110 5,022,601
2024-05-28 13D/A FTRE / Fortrea Holdings Inc. 6,136,000 7,595,000
2024-05-06 13D/A ALIT / Alight, Inc. 39,807,000 39,807,000
2024-05-02 13D/A GDDY / GoDaddy Inc. 8,671,000 6,750,000
2024-04-18 13D/A AQN / Algonquin Power & Utilities Corp. 62,141,000 62,141,000
2024-03-21 13D/A AQN / Algonquin Power & Utilities Corp. 60,939,000 62,141,000
2024-03-19 13D/A ALIT / Alight, Inc. 39,807,000 39,807,000
2024-02-26 13D/A FTRE / Fortrea Holdings Inc. 7,769,195 6,136,000
2024-02-21 13D ALIT / Alight, Inc. 39,807,000
2024-02-15 13D/A ACTG / Acacia Research Corporation 61,123,595 61,123,595
2024-01-31 13D/A GDDY / GoDaddy Inc. 8,671,000 8,671,000
2024-01-24 13D/A WIX / Wix.com Ltd. 3,735,000 2,789,000
2024-01-02 13D/A BLMN / Bloomin' Brands, Inc. 8,341,000 8,441,000
2023-12-08 13D/A GDDY / GoDaddy Inc. 11,465,000 8,671,000
2023-10-19 13D/A AQN / Algonquin Power & Utilities Corp. 52,346,000 60,939,000
2023-10-17 13D FTRE / Fortrea Holdings Inc. 7,769,195
2023-09-12 13D/A GDDY / GoDaddy Inc. 11,883,000 11,465,000
2023-09-06 13D/A BLMN / Bloomin' Brands, Inc. 8,623,000 8,341,000
2023-08-18 13D BLMN / Bloomin' Brands, Inc. 8,623,000
2023-07-24 13D/A AQN / Algonquin Power & Utilities Corp. 34,888,650 52,346,000
2023-07-21 13D/A VRT / Vertiv Holdings Co 21,339,000 14,311,000
2023-07-17 13D/A ACTG / Acacia Research Corporation 20,000,000 61,123,595
2023-07-07 13D/A AQN / Algonquin Power & Utilities Corp. 34,138,650 34,888,650
2023-06-30 13D AQN / Algonquin Power & Utilities Corp. 34,138,650
2023-06-20 13D/A WIX / Wix.com Ltd. 3,908,110 3,735,000
2023-06-15 13D/A MRCY / Mercury Systems, Inc. 4,156,831 2,660,258
2023-06-08 13D/A CYXTQ / Cyxtera Technologies, Inc. 28,358,610 19,358,610
2023-06-06 13D/A ROG / Rogers Corporation 1,222,000 850,482
2023-05-26 13D/A VRT / Vertiv Holdings Co 27,839,000 21,339,000
2023-05-22 13D/A CYXTQ / Cyxtera Technologies, Inc. 20,770,844 28,358,610
2023-04-10 13D/A RBA / RB Global, Inc. 6,894,981 7,026,415
2023-03-29 13D/A CYXTQ / Cyxtera Technologies, Inc. 20,767,571 20,770,844
2023-03-17 13D/A LPSN / LivePerson, Inc. 7,005,000 2,360,000
2023-03-06 13D RBA / RB Global, Inc. 6,894,981
2023-03-03 13D/A ACTG / Acacia Research Corporation 5,000,000 20,000,000
2023-03-03 13D/A PZZA / Papa John's International, Inc. 2,773,111 599,570
2023-02-27 13D/A ROG / Rogers Corporation 1,222,000 1,222,000
2023-02-06 13D ROG / Rogers Corporation 1,222,000
2023-01-27 13D/A ACM / AECOM 7,771,992 6,761,000
2023-01-20 13D/A MD / Pediatrix Medical Group, Inc. 5,915,000 3,348,578
2022-12-05 13D/A WIX / Wix.com Ltd. 5,171,652 3,908,110
2022-12-02 13D/A CVLT / Commvault Systems, Inc. 2,719,857 1,626,614
2022-12-02 13D/A MD / Pediatrix Medical Group, Inc. 5,915,000 5,915,000
2022-11-17 13D/A CVLT / Commvault Systems, Inc. 3,802,375 2,719,857
2022-11-15 13D/A EHTH / eHealth, Inc. 2,243,117 808,866
2022-11-08 13D ACTG / Acacia Research Corporation 5,000,000
2022-11-07 13D/A GDDY / GoDaddy Inc. 10,853,899 11,883,000
2022-10-20 13D VRT / Vertiv Holdings Co 27,839,000
2022-09-27 13D/A GCP / GCP Applied Technologies Inc 6,553,283 0
2022-09-16 13D WIX / Wix.com Ltd. 5,171,652
2022-07-21 13D/A LPSN / LivePerson, Inc. 7,005,000 7,005,000
2022-07-06 13D/A CVLT / Commvault Systems, Inc. 4,469,256 3,802,375
2022-06-24 13D/A MRCY / Mercury Systems, Inc. 4,156,831 4,156,831
2022-05-19 13D/A HUN / Huntsman Corporation 14,576,348 10,434,108
2022-04-06 13D/A HUN / Huntsman Corporation 18,817,818 14,576,348
2022-04-01 13D/A / Voya Prime Rate Trust 8,987,486 5,651,153
2022-03-15 13D/A GDOT / Green Dot Corporation 5,294,110 5,294,110
2022-03-14 13D/A CYXTQ / Cyxtera Technologies, Inc. 20,767,571 20,767,571
2022-03-01 13D/A LPSN / LivePerson, Inc. 6,365,000 7,005,000
2022-02-28 13D LPSN / LivePerson, Inc. 6,365,000
2022-01-25 13D/A CYXT / Cyxtera Technologies Inc - Class A 20,767,571 20,767,571
2022-01-19 13D/A CYXT / Cyxtera Technologies Inc - Class A 22,130,128 20,767,571
2022-01-13 13D/A MRCY / Mercury Systems, Inc. 4,156,831
2022-01-12 13D/A HUN / Huntsman Corporation 18,602,818 18,817,818
2022-01-07 13D/A EHTH / eHealth, Inc. 1,898,117 2,243,117
2022-01-06 13D/A MGLN / Magellan Health Inc 2,371,887 0
2021-12-27 13D GDDY / GoDaddy Inc. 10,853,899
2021-12-07 13D/A GCP / GCP Applied Technologies Inc 6,540,000 6,553,283
2021-10-18 13D/A MMSI / Merit Medical Systems, Inc. 4,034,085 2,679,283
2021-10-14 13D/A BOX / Box, Inc. 13,313,663 5,978,712
2021-09-27 13D HUN / Huntsman Corporation 18,602,818
2021-09-09 13D/A BOX / Box, Inc. 13,013,663 13,313,663
2021-08-31 13D/A MD / Pediatrix Medical Group, Inc. 8,450,000 5,915,000
2021-08-20 13D/A PZZA / Papa John's International, Inc. 3,470,730 2,773,111
2021-08-10 13D/A CYXT / Cyxtera Technologies Inc - Class A 22,130,128 22,130,128
2021-08-09 13D CYXT / Cyxtera Technologies Inc - Class A 22,130,128
2021-07-20 13D/A BOX / Box, Inc. 13,013,663 13,013,663
2021-06-15 13D/A GDOT / Green Dot Corporation 5,294,110 5,294,110
2021-06-10 13D/A BOX / Box, Inc. 13,013,663 13,013,663
2021-05-20 13D/A BOX / Box, Inc. 13,013,663 13,013,663
2021-05-13 13D/A PZZA / Papa John's International, Inc. 5,003,364 3,470,730
2021-05-13 13D/A EHTH / eHealth, Inc. 1,798,117 1,898,117
2021-05-10 13D/A BOX / Box, Inc. 13,013,663 13,013,663
2021-05-05 13D/A BOX / Box, Inc. 12,551,817 13,013,663
2021-03-22 13D EHTH / eHealth, Inc. 1,798,117
2021-02-25 13D/A / Voya Prime Rate Trust 10,115,853 8,987,486
2021-01-29 13D/A GDOT / Green Dot Corporation 4,426,281 5,294,110
2021-01-11 13D/A BOX / Box, Inc. 9,194,000 12,551,817
2021-01-05 13D/A PZZA / Papa John's International, Inc. 4,997,193 5,003,364
2021-01-04 13D/A MGLN / Magellan Health Inc 2,369,100 2,371,887
2020-12-09 13D/A ACM / AECOM 7,771,992 7,771,992
2020-12-02 13D/A / Voya Prime Rate Trust 10,475,112 10,115,853
2020-11-30 13D ACM / AECOM 7,771,992
2020-11-16 13D/A CVLT / Commvault Systems, Inc. 4,316,000 4,469,256
2020-11-12 13D/A MMSI / Merit Medical Systems, Inc. 4,841,860 4,034,085
2020-11-10 13D/A GDOT / Green Dot Corporation 4,778,762 4,426,281
2020-10-19 13D / Voya Prime Rate Trust 10,475,112
2020-08-05 13D/A NLOK / NortonLifeLock Inc 21,144,462 21,144,462
2020-08-04 13D/A NLOK / NortonLifeLock Inc 32,740,609 21,144,462
2020-07-13 13D/A MD / Pediatrix Medical Group, Inc. 8,203,000 8,450,000
2020-06-09 13D/A NLOK / NortonLifeLock Inc 43,625,481 32,740,609
2020-06-08 13D/A CVLT / Commvault Systems, Inc. 4,616,000 4,316,000
2020-05-29 13D/A BOX / Box, Inc. 11,774,546 9,194,000
2020-05-28 13D/A GCP / GCP Applied Technologies Inc 6,540,000 6,540,000
2020-05-27 13D/A MMSI / Merit Medical Systems, Inc. 4,965,000 4,841,860
2020-05-15 13D/A MD / Pediatrix Medical Group, Inc. 7,590,000 8,203,000
2020-04-09 13D/A CVLT / Commvault Systems, Inc. 4,329,256 4,616,000
2020-04-02 13D/A GCP / GCP Applied Technologies Inc 6,540,000 6,540,000
2020-03-30 13D CVLT / Commvault Systems, Inc. 4,329,256
2020-03-23 13D/A BOX / Box, Inc. 11,000,000 11,774,546
2020-03-06 13D/A GCP / GCP Applied Technologies Inc 6,540,000
2020-03-02 13D/A MD / Pediatrix Medical Group, Inc. 6,325,000 7,590,000
2020-02-13 13D MD / Pediatrix Medical Group, Inc. 6,325,000
2020-02-03 13D GDOT / Green Dot Corporation 4,778,762
2020-01-27 13D/A MMSI / Merit Medical Systems, Inc. 4,965,000 4,965,000
2020-01-15 13D/A PZZA / Papa John's International, Inc. 4,995,003 4,997,193
2020-01-13 13D MMSI / Merit Medical Systems, Inc. 4,965,000
2020-01-13 13D/A GCP / GCP Applied Technologies Inc 5,610,000
2019-12-06 13D/A NLOK / NortonLifeLock Inc 43,625,481
2019-09-03 13D BOX / Box, Inc. 11,000,000
2019-08-27 13D/A GCP / GCP Applied Technologies Inc 4,640,050 5,610,000
2019-08-16 13D/A PRGO / Perrigo Company plc 9,641,425 6,780,026
2019-08-15 13D/A NLOK / NortonLifeLock Inc 36,008,789 43,625,481
2019-08-07 13D/A CARS / Cars.com Inc. 6,377,000 1,907,142
2019-06-06 13D GCP / GCP Applied Technologies Inc 4,640,050
2019-04-01 13D/A PZZA / Papa John's International, Inc. 4,995,007 4,995,003
2019-03-29 13D/A MGLN / Magellan Health Inc 2,369,100 2,369,100
2019-03-12 13D/A MLNX / Mellanox Technologies, Ltd. 3,142,678 0
2019-02-22 13D/A MGLN / Magellan Health Inc 2,369,100
2019-02-15 13D/A MLNX / Mellanox Technologies, Ltd. 4,576,389 3,142,678
2019-02-14 13D PZZA / Papa John's International, Inc. 4,995,007
2019-02-14 13D/A MRVL / Marvell Technology, Inc. 38,563,990 28,913,290
2019-02-07 13D/A NLOK / NortonLifeLock Inc 36,000,796 36,008,789
2018-12-13 13D MGLN / Magellan Health Inc 2,369,100
2018-12-11 13D/A FCE.A / Forest City Realty Trust, Inc. 15,272,223 0
2018-10-24 13D/A MRVL / Marvell Technology, Inc. 33,753,990 38,563,990
2018-09-18 13D/A NLOK / NortonLifeLock Inc 36,000,796 36,000,796
2018-09-17 13D/A NLOK / NortonLifeLock Inc 36,000,796 36,000,796
2018-08-16 13D NLOK / NortonLifeLock Inc 36,000,796 36,000,796
2018-08-15 13D NLOK / NortonLifeLock Inc 36,000,796
2018-08-01 13D/A FCE.A / Forest City Realty Trust, Inc. 15,272,223 15,272,223
2018-07-12 13D/A MRVL / Marvell Technology, Inc. 33,741,354 33,753,990
2018-07-12 13D/A MLNX / Mellanox Technologies, Ltd. 5,466,621 4,576,389
2018-06-19 13D/A MLNX / Mellanox Technologies, Ltd. 5,466,621 5,466,621
2018-06-08 13D WEB / Web.com Group, Inc. 4,630,579
2018-05-22 13D/A ASRT / Assertio Holdings, Inc. 3,885,295 2,703,995
2018-05-14 13D/A ASRT / Assertio Holdings, Inc. 4,735,295 3,885,295
2018-04-05 13D/A ASRT / Assertio Holdings, Inc. 4,890,000 4,735,295
2018-04-04 13D FCE.A / Forest City Realty Trust, Inc. 15,272,223
2018-03-26 13D/A CARS / Cars.com Inc. 6,377,000 6,377,000
2018-03-23 13D/A CARS / Cars.com Inc. 6,377,000 6,377,000
2018-03-21 13D/A STC / Stewart Information Services Corporation 2,315,000 1,000
2018-03-13 13D/A MLNX / Mellanox Technologies, Ltd. 5,466,621
2018-03-01 13D/A ASRT / Assertio Holdings, Inc. 5,490,000 4,890,000
2018-02-23 13D/A CARS / Cars.com Inc. 6,377,000 6,377,000
2018-02-21 13D/A TYPE / Monotype Imaging Holdings, Inc. 2,553,409 1,075
2018-02-16 13D/A CARS / Cars.com Inc. 4,975,000 6,377,000
2018-02-15 13D/A TYPE / Monotype Imaging Holdings, Inc. 2,553,409 2,553,409
2018-01-31 13D/A TYPE / Monotype Imaging Holdings, Inc. 2,815,909 2,553,409
2018-01-26 13D/A STC / Stewart Information Services Corporation 2,315,000 2,315,000
2018-01-18 13D/A MLNX / Mellanox Technologies, Ltd. 5,466,621
2018-01-17 13D/A SCOR / comScore, Inc. 4,105,457 2,793,247
2018-01-11 13D/A CARS / Cars.com Inc. 7,100,000 4,975,000
2018-01-02 13D/A MLNX / Mellanox Technologies, Ltd. 5,006,621 5,466,621
2017-12-18 13D CARS / Cars.com Inc. 7,100,000
2017-11-21 13D/A MRVL / Marvell Technology, Inc. 33,724,032 33,741,354
2017-11-20 13D MLNX / Mellanox Technologies, Ltd. 5,006,621
2017-11-15 13D/A QMCO / Quantum Corporation 29,241,259 957,067
2017-11-06 13D SCOR / comScore, Inc. 4,105,457
2017-10-06 13D TYPE / Monotype Imaging Holdings, Inc. 2,815,909
2017-08-02 13D/A BCO / The Brink's Company 2,188,930 1,528,205
2017-07-18 13D/A ASRT / Assertio Holdings, Inc. 5,490,000 5,490,000
2017-06-22 13D/A PRXL / PAREXEL International Corp. 2,877,500 0
2017-06-02 13D/A BCO / The Brink's Company 3,028,930 2,188,930
2017-05-11 13D PRXL / PAREXEL International Corp. 2,877,500
2017-03-30 13D/A ASRT / Assertio Holdings, Inc. 6,015,000 5,490,000
2017-03-15 13D/A TRCO / Tribune Media Company 5,790,400 3,802,400
2017-03-08 13D/A BCO / The Brink's Company 3,928,930 3,028,930
2017-02-24 13D/A BCO / The Brink's Company 4,578,930 3,928,930
2017-02-21 13D TRCO / Tribune Media Company 5,790,400
2017-02-07 13D/A PRGO / Perrigo Company plc 8,960,000 9,641,425
2016-12-07 13D/A QMCO / Quantum Corporation 40,691,259 29,241,259
2016-11-30 13D/A NSP / Insperity, Inc. 1,273,689 1,028,626
2016-11-16 13D/A NSP / Insperity, Inc. 1,498,008 1,273,689
2016-11-14 13D PRGO / Perrigo Company plc 8,960,000
2016-10-19 13D/A STC / Stewart Information Services Corporation 2,315,000 2,315,000
2016-10-19 13D/A ASRT / Assertio Holdings, Inc. 6,015,000
2016-09-20 13D/A BLOX / Tidal Trust II - Nicholas Crypto Income ETF 4,101,000 2,800,000
2016-09-20 13D/A ASRT / Assertio Holdings, Inc. 6,015,000
2016-09-15 13D/A MRVL / Marvell Technology, Inc. 33,720,786 33,724,032
2016-08-12 13D STC / Stewart Information Services Corporation 2,315,000
2016-07-27 13D/A ASRT / Assertio Holdings, Inc. 6,015,000 6,015,000
2016-07-25 13D/A BCO / The Brink's Company 4,578,930 4,578,930
2016-06-06 13D/A NSP / Insperity, Inc. 1,811,926 1,498,008
2016-06-01 13D/A NSP / Insperity, Inc. 2,268,008 1,811,926
2016-05-31 13D/A ASRT / Assertio Holdings, Inc. 5,640,000 6,015,000
2016-05-25 13D/A NSP / Insperity, Inc. 3,337,921 2,268,008
2016-05-24 13D/A DRI / Darden Restaurants, Inc. 6,624,475 6,052,553
2016-05-19 13D/A NSP / Insperity, Inc. 3,337,096 3,337,921
2016-04-27 13D/A MRVL / Marvell Technology, Inc. 34,735,577 33,720,786
2016-04-22 13D BLOX / Tidal Trust II - Nicholas Crypto Income ETF 4,101,000
2016-04-12 13D/A ASRT / Assertio Holdings, Inc. 4,140,000 5,640,000
2016-04-07 13D ASRT / Assertio Holdings, Inc. 4,140,000
2016-04-06 13D/A QMCO / Quantum Corporation 42,417,263 40,691,259
2016-04-06 13D/A DRI / Darden Restaurants, Inc. 6,685,179 6,624,475
2016-03-16 13D/A FCPT / Four Corners Property Trust, Inc. 2,574,429 2,809,411
2016-03-15 13D/A DRI / Darden Restaurants, Inc. 7,971,320 6,685,179
2016-03-15 13D/A NSP / Insperity, Inc. 3,335,976 3,337,096
2016-03-07 13D/A ODP / The ODP Corporation 30,220,751 25,045,836
2016-03-04 13D/A DRI / Darden Restaurants, Inc. 7,971,320
2016-02-05 13D/A DRI / Darden Restaurants, Inc. 10,341,320
2016-02-03 13D MRVL / Marvell Technology, Inc. 34,735,577
2016-01-27 13D/A QMCO / Quantum Corporation 44,381,440 42,417,263
2016-01-27 13D/A RLD / RealD Inc 4,650,000 2,550,000
2016-01-25 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000 0
2016-01-13 13D/A FCPT / Four Corners Property Trust, Inc. 3,879,396 2,574,429
2016-01-12 13D/A DRI / Darden Restaurants, Inc. 10,341,320
2016-01-08 13D/A MDAS / MedAssets, Inc. 2,700,000
2016-01-05 13D/A BCO / The Brink's Company 4,578,930
2015-12-15 13D/A ODP / The ODP Corporation 48,837,247 30,220,751
2015-11-13 13D/A ODP / The ODP Corporation 48,837,247
2015-11-10 13D FCPT / Four Corners Property Trust, Inc. 3,879,396
2015-11-09 13D/A LXU / LSB Industries, Inc. 1,390,000 1,110,000
2015-10-14 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000
2015-10-05 13D/A BCO / The Brink's Company 4,578,930
2015-10-02 13D/A BCO / The Brink's Company 4,371,760 4,578,930
2015-08-07 13D/A LXU / LSB Industries, Inc. 1,725,000 1,390,000
2015-08-05 13D/A 91531F103 / General Electric Capital Corp. 6.10#% Public Income Bonds PINES due 2032-11-15 1,373,124
2015-08-03 13D MDAS / MedAssets, Inc.
2015-07-29 13D/A BCO / The Brink's Company 3,970,000 4,371,760
2015-07-02 13D/A MWV / 0
2015-06-29 13D/A ISSI / Integrated Silicon Solution, Inc. 1,352,741
2015-06-26 13D/A MCRL / Micrel Inc 3,689,432
2015-06-08 13D/A MCRL / Micrel Inc 5,036,571
2015-05-19 13D/A ISSI / Integrated Silicon Solution, Inc. 3,569,150
2015-05-07 13D/A QMCO / Quantum Corporation 44,381,440
2015-05-04 13D BCO / The Brink's Company 3,970,000
2015-05-04 13D/A ISSI / Integrated Silicon Solution, Inc. 3,074,150 3,569,150
2015-04-27 13D/A LXU / LSB Industries, Inc. 1,725,000
2015-04-24 13D/A NSP / Insperity, Inc. 3,335,976 3,335,976
2015-04-14 13D/A ISSI / Integrated Silicon Solution, Inc. 3,074,150
2015-03-23 13D/A NSP / Insperity, Inc. 3,335,976
2015-03-11 13D/A LXU / LSB Industries, Inc.
2015-03-04 13D/A TSRA / Tessera Technologies, Inc. 2,611,541
2015-02-23 13D/A TSRA / Tessera Technologies, Inc. 3,186,541
2015-02-06 13D/A SPLS / Staples, Inc. 31,461,574
2015-01-20 13D NSP / Insperity, Inc. 3,335,976
2014-12-11 13D/A MWV / 10,093,836
2014-12-11 13D/A ODP / The ODP Corporation 53,358,147
2014-12-11 13D SPLS / Staples, Inc. 32,361,574
2014-12-09 13D/A MWV / 10,093,836
2014-12-05 13D/A TSRA / Tessera Technologies, Inc. 3,760,916
2014-12-03 13D/A ISSI / Integrated Silicon Solution, Inc.
2014-12-01 13D/A DSPG / DSP Group, Inc. 1,038,000
2014-11-28 13D ISSI / Integrated Silicon Solution, Inc. 2,200,000
2014-11-24 13D LXU / LSB Industries, Inc. 1,625,000
2014-10-29 13D/A RLD / RealD Inc
2014-10-14 13D/A DRI / Darden Restaurants, Inc. 11,635,000
2014-10-01 13D/A RLD / RealD Inc
2014-09-10 13D/A ODP / The ODP Corporation 46,369,749
2014-09-10 13D/A DRI / Darden Restaurants, Inc. 11,635,000
2014-09-05 13D/A RLD / RealD Inc 4,550,000
2014-09-04 13D/A DSPG / DSP Group, Inc. 1,346,500
2014-08-08 13D/A DRI / Darden Restaurants, Inc. 11,635,000
2014-08-07 13D MCRL / Micrel Inc 6,782,000
2014-07-29 13D/A QMCO / Quantum Corporation 44,315,489
2014-07-24 13D/A DRI / Darden Restaurants, Inc. 10,560,000
2014-07-18 13D/A RLD / RealD Inc 3,925,000
2014-07-17 13D/A RGS / Regis Corporation 330,847
2014-07-16 13D/A DRI / Darden Restaurants, Inc.
2014-07-03 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000
2014-06-04 13D/A DRI / Darden Restaurants, Inc. 8,200,000
2014-06-02 13D MWV / 9,350,000
2014-05-29 13D/A 129603106 / Calgon Carbon Corp. 2,585,647
2014-05-23 13D/A DRI / Darden Restaurants, Inc. 8,200,000
2014-05-13 13D/A QMCO / Quantum Corporation 44,287,278
2014-05-06 13D/A 129603106 / Calgon Carbon Corp. 3,245,000
2014-05-02 13D RLD / RealD Inc 3,100,000
2014-04-23 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000
2014-04-09 13D/A 91531F103 / General Electric Capital Corp. 6.10#% Public Income Bonds PINES due 2032-11-15 10,719,124
2014-04-03 13D/A DRI / Darden Restaurants, Inc. 7,250,000 7,250,000
2014-03-31 13D/A 91531F103 / General Electric Capital Corp. 6.10#% Public Income Bonds PINES due 2032-11-15 9,369,124
2014-03-28 13D/A TQNT / 4,461,478
2014-03-19 13D/A IDTI / Integrated Device Technology, Inc. 7,287,501
2014-03-14 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-03-11 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-03-06 13D/A DSPG / DSP Group, Inc. 1,650,000
2014-03-04 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-02-26 13D/A IDTI / Integrated Device Technology, Inc. 8,837,501
2014-02-24 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-02-20 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-02-18 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000
2014-02-14 13D/A 129603106 / Calgon Carbon Corp. 3,937,100
2014-02-11 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-01-21 13D/A IDTI / Integrated Device Technology, Inc. 10,238,643
2014-01-21 13D/A 129603106 / Calgon Carbon Corp. 4,620,000
2014-01-21 13D/A DRI / Darden Restaurants, Inc. 7,250,000
2014-01-17 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000
2013-12-24 13D/A DSPG / DSP Group, Inc. 1,959,000
2013-12-23 13D DRI / Darden Restaurants, Inc. 7,250,000
2013-12-13 13D/A ODP / The ODP Corporation 43,471,084
2013-12-03 13D/A ODP / The ODP Corporation 42,121,084
2013-12-02 13D/A TQNT / 12,607,000
2013-11-19 13D/A ELX / Emulex Corp 4,050,000
2013-11-19 13D/A ODP / The ODP Corporation 42,121,084
2013-11-14 13D/A ELX / Emulex Corp 5,344,000
2013-11-04 13D/A 129603106 / Calgon Carbon Corp. 5,275,000
2013-10-31 13D/A IDTI / Integrated Device Technology, Inc. 12,534,167
2013-10-29 13D/A TQNT / 12,784,500
2013-10-28 13D/A TQNT / 12,484,500
2013-10-22 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,500,000
2013-10-07 13D/A SEAC / SeaChange International, Inc. 1,640,000
2013-10-01 13D/A SEAC / SeaChange International, Inc. 2,225,000
2013-09-30 13D/A SFD / Smithfield Foods, Inc. 3,000,000
2013-09-20 13D/A SFD / Smithfield Foods, Inc. 7,962,300
2013-09-17 13D/A ELX / Emulex Corp 7,250,000
2013-09-04 13D/A TSRA / Tessera Technologies, Inc. 4,700,000
2013-09-03 13D/A SFD / Smithfield Foods, Inc. 7,962,300
2013-08-27 13D/A TSRA / Tessera Technologies, Inc. 4,650,000
2013-08-22 13D/A ODP / The ODP Corporation 42,100,000
2013-08-02 13D/A EXTR / Extreme Networks, Inc. 4,541,000
2013-08-02 13D/A TQNT / 9,770,000
2013-07-26 13D/A EXTR / Extreme Networks, Inc. 6,566,000
2013-07-24 13D/A 91531F103 / General Electric Capital Corp. 6.10#% Public Income Bonds PINES due 2032-11-15 8,558,354
2013-07-19 13D/A SEAC / SeaChange International, Inc. 2,578,198
2013-07-12 13D/A SFD / Smithfield Foods, Inc. 7,962,300
2013-07-08 13D ELX / Emulex Corp 6,250,000
2013-06-27 13D/A ODP / The ODP Corporation 42,100,000
2013-06-17 13D/A EXTR / Extreme Networks, Inc. 7,836,000
2013-06-17 13D SFD / Smithfield Foods, Inc. 7,962,300
2013-06-14 13D/A ODP / The ODP Corporation 42,100,000
2013-06-11 13D/A DSPG / DSP Group, Inc. 2,222,079
2013-05-23 13D/A TSRA / Tessera Technologies, Inc. 4,075,000
2013-05-15 13D/A QMCO / Quantum Corporation 44,243,875
2013-04-29 13D TQNT / 12,585,000
2013-04-22 13D/A ODP / The ODP Corporation 42,100,000
2013-03-20 13D/A ODP / The ODP Corporation 42,100,000
2013-03-15 13D/A QMCO / Quantum Corporation 42,568,875
2013-03-13 13D/A 129603106 / Calgon Carbon Corp. 4,965,000
2013-03-13 13D/A DSPG / DSP Group, Inc. 2,222,079
2013-03-08 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,300,000
2013-03-07 13D/A TSRA / Tessera Technologies, Inc. 3,875,000
2013-03-01 13D/A TSRA / Tessera Technologies, Inc. 3,675,000
2013-03-01 13D/A 129603106 / Calgon Carbon Corp. 4,965,000
2013-03-01 13D/A PRGS / Progress Software Corporation 2,869,000
2013-02-28 13D/A ODP / The ODP Corporation 42,100,000
2013-02-05 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,300,000
2013-01-30 13D/A PRGS / Progress Software Corporation 3,675,000
2013-01-28 13D/A SEAC / SeaChange International, Inc. 2,888,198
2013-01-22 13D 129603106 / Calgon Carbon Corp. 4,400,000
2013-01-14 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,300,000
2012-12-26 13D/A MIPS / Mips Technologies Inc 2,665,084
2012-12-21 13D/A TSRA / Tessera Technologies, Inc. 3,125,800
2012-12-20 13D/A RGS / Regis Corporation 4,202,820
2012-12-19 13D/A VVI / Pursuit Attractions and Hospitality, Inc. 850,000
2012-12-14 13D/A PRGS / Progress Software Corporation 4,719,864
2012-11-27 13D/A ODP / The ODP Corporation 42,100,000
2012-11-26 13D/A TSRA / Tessera Technologies, Inc. 3,000,000
2012-11-16 13D/A ODP / The ODP Corporation 42,100,000
2012-11-15 13D/A MIPS / Mips Technologies Inc 4,460,000
2012-11-01 13D QMCO / Quantum Corporation 41,234,935
2012-10-25 13D/A PRGS / Progress Software Corporation 5,574,000
2012-10-16 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 7,100,000
2012-10-12 13D/A ODP / The ODP Corporation 42,100,000
2012-09-27 13D/A RGS / Regis Corporation 3,321,034
2012-09-26 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 6,600,000
2012-09-17 13D ODP / The ODP Corporation
2012-09-10 13D/A SRDX / Surmodics, Inc.
2012-08-27 13D/A SRDX / Surmodics, Inc. 1,743,132
2012-08-23 13D VVI / Pursuit Attractions and Hospitality, Inc.
2012-08-21 13D/A WPP / WPP plc - Depositary Receipt (Common Stock)
2012-08-15 13D/A SRDX / Surmodics, Inc.
2012-08-13 13D/A SRDX / Surmodics, Inc.
2012-08-07 13D/A PRGS / Progress Software Corporation
2012-08-06 13D/A SRDX / Surmodics, Inc.
2012-06-20 13D/A IDTI / Integrated Device Technology, Inc. 12,150,000
2012-06-15 13D/A AOL / 4,541,000
2012-06-04 13D/A PRGS / Progress Software Corporation 4,114,500
2012-05-31 13D/A IDTI / Integrated Device Technology, Inc. 12,150,000
2012-05-08 13D/A PRGS / Progress Software Corporation 3,235,000
2012-05-01 13D/A PRGS / Progress Software Corporation 3,235,000
2012-04-27 13D/A AOL / 4,966,000
2012-04-19 13D IDTI / Integrated Device Technology, Inc. 9,200,000
2012-04-11 13D/A AOL / 4,916,000
2012-04-09 13D/A DSPG / DSP Group, Inc. 2,222,079
2012-03-30 13D/A AOL / 4,916,000
2012-03-19 13D/A MIPS / Mips Technologies Inc 4,925,000
2012-02-27 13D/A AOL / 4,916,000
2012-02-22 13D/A MIPS / Mips Technologies Inc 4,725,000
2012-02-16 13D AOL / 4,916,000
2012-02-13 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 4,756,200
2012-02-10 13D/A AVID / Avid Technology, Inc. 1,159,487
2012-01-30 13D/A PRGS / Progress Software Corporation 3,235,000
2012-01-24 13D PRGS / Progress Software Corporation 3,235,000
2012-01-12 13D/A WPP / WPP plc - Depositary Receipt (Common Stock) 4,566,000